My worst trade so far was during the NFP release last month for the month of July. We all knew the figure would be lower than the previous month and I entered a Sell position even before it was released. It turned out the data was lower but almost close to the previous month and it was a positive thing for the Dollar. The dollar relied positively and I was burned. I hit margin call within 5 mins. I won't repeat the same mistake. What was your worst trade ever?